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In the picture above you can see that the price candle closes above the TRE middle line. QQE signal lines crosses over the red line while the U line is over the D line. That is your buy (long) signal. You can adjust your profit targets according to fibo levels or if there is historical support/resistance zone nearby.

Optimization is the process to adapt the parameters of a given strategy to a specific market. It is generally a good thing when done properly, but if not done correctly, there is a high risk to do it wrong and end up with a curve fitted system (I will go deeper on the traditional optimization of trading strategies on future posts).

What is curve fitting?

You can always find a combination of rules and trading parameters that fits perfectly to the available historical data, resulting in exceptional trading results based on those tests. But when those rules are tested on a live market, they fail and loose money very quickly.

The majority of the strategies commercially available suffer from this problem. Why? Because vendors sell the strategy based on pretty tests instead of robustness of the strategy. It is much easier to sell based on a nice equity curve than to sell based on the complex optimization process to increase robustness and reduce curve fitting. Sad but true.

The proper way to optimize

To avoid curve fitting, one must leave at least 30% of the available data out of the optimization process. For example, if you have data from 2000 to 2012 (12 years), the optimization process would be:

Optimize for 2000 2009 . You will end up with the best parameters on this period.

Select the best parameter set . The criteria to choose it is important. For example, selecting the best AbsoluteProfit/RelativeDrawdown that has robust enough neighbor parameters is a good choice.

Test the parameter set on the out of sample period (2010-2012) . If you get different results on this period there is something wrong on previous phases. You must return to the design phase.

Once you have a parameter set that works correctly on the out of sample period, you would run your strategy live.

The problems of traditional optimization

Traditional optimization is good, but there are obvious problems:

The chosen parameter set is average quality . As it needs to survive a lot of market conditions (both on in-sample and out-of-sample data) it will not be really adapted to any one, so many trading opportunities will be missed.

Degradation forces periodic reoptimizations . As the time passes, the chosen parameter set degrades. We will have more data and we will have more different market conditions.

Most of the gains could be focused on small periods . You will find many strategies out there cuve fitted to recent market conditions but when testing them on previous years they fail.

A dramatic and definitive change in a market will make the strategy reach the worst case scenario, loosing a lot of money

There are ways to solve most of the above problems in a traditional way. But using Walk Forward hopefully we should be able to overcome or reduce the impact of all of them.

Walk Forward Analysis

With Walk Forward Analysis, instead of making one big optimization on in-sample data and testing it on the out-of-sample data, we will make a lot of small optimizations and testings on much smaller periods.

The size of the optimization period is called the Optimization Window. According to my tests, the size of the Optimization Window must be adapted to each market as it is directly correlated with the market cycles or the speed at which a given market changes. For example, on the next picture we would be doing a Walk Forward Analysis using an Optimization Window size of 3 months and then an out-of-sample period of one month:

Walk Forward Analysis of trading strategies

The result of a full Walk Forward Analysis test will be the sum of the results of all the smaller tests:

The result of a Walk Forward Analysis test

A strategy that is able to survive to a proper Walk Forward Analysis will show much higher levels of robustness than strategies trading traditional optimization parameter sets. Most curve fitted features or features added to improve short term results will not be able to survive this test as they will constantly fail during the different testing phases.

The goal of Walk Forward Analysis

There are two main goals to achieve with Walk Forward Analysis:

Robustness . The main goal of Walk Forward Analysis is to achieve very high levels of robustness. By robustness I mean getting similar results in live trading and on backtests.

Increased profitability . A proper Walk Forward process will allow the strategy to adapt itself to a changing market allowing it to trade more frequently and target more pips on favorable conditions and reduce trading frequency and targets on unfavorable conditions.

There are another secondary benefits:

If the inefficience is erased from the market, a proper Walk Forward implementation will choose not to trade

If then the inefficience returns to the market, it will slowly start to trade again

Life of the strategy is much longer . The worst case scenario that would make us stop trading the strategy would be much tougher to reach. The elimination of the inefficience would be not enough for us to stop trading. In addition to that, the whole Walk Forward process must fail to detect this market conditions.

I teach Day Trading Strategies for Beginner Traders. I focus on Momentum Trading Strategies including Gap and GO! and Trend Finding Strategies. All of our classes are available for immediate streaming at WarriorTrading.

“Give a man a fish and you feed him for a day; teach a man to fish and you feed him for a lifetime”…

// Learn How to Day Trade and Learn How to Swing Trading

As Day Traders and Swing Traders our mission is simple. We are looking for stocks that we expect will move in a predictable direction. We want to take a position with a predefined stop level and profit target. Sounds easy right? In a lot of ways it is. But there are literally thousands of different strategies for trading the market. Every trader has a unique approach to trading. Our goal is to teach you our strategies. I have developed a series of profitable trading strategies for beginners. Our Trading Courses focus on the most fundamental aspects of a successful trade.

// Chart Patterns

After you understand risk management and proper stock selection, we teach you how to find stock patterns on charts. These patterns are how we base our risk and reward. We look for chart patterns that have well defined areas of support and resistance. We will use previous support levels as our stop price, or our risk, and we look at previous resistance areas as our initial profit target, or our reward. If the profit vs loss ratio is 2:1 we will take the trade. I teach both day trading strategies and swing trading strategies. For day trading we focus primarily on 5min charts while swing traders focus more on daily charts. The patterns in general are the same. I teach traders how to find patterns in real-time including Bull Flags, Bear Flags, Flat Tops, Flat Bottoms, and Rubber Band Reversal Setups.

// Trading Strategies

Learning risk management, proper stock selection, and chart patterns is important, but those alone don’t create a trading strategy. A trading strategy requires details on the time of day you take these trades, what type of stocks you like to trade, what percentage to success you expect. All our students are required to papertrade and prove to me that they can trade on a percentage of success that is high enough to justify real trading. If you can’t make money in a demo account, you have no business trading a real account. We have saved students hundreds of thousands of dollars by encouraging paper trading while they are learning. The market will be here for a long time to come. The important thing for you right now is to build up the skills to trade the market successfully. You will learn that once you possess the skills to consistently make $20.00/day all it takes to make $200 is larger share size. Then all it takes to make $2000 is again, larger share size. The hardest part is being consistently green just $20/day. So that is our initial target for all of our students. Profitable trading 4/5 days per week for at least 3 months.

I am a big fan of having a trading plan. Most top traders and investors will tell you that you need a plan. But, to have a plan, you need a place to start. So here are 5 really simple trading strategies to help build a portfolio.

Each of these strategies is presented to introduce you to each concept in a simple form. These simple explanations are not sufficient information to allow you to take action without the support of a professional financial advisor or more education. Please use these as a starting point to building your financial intelligence.

1) Dogs of the Dow. The Dow Jones industrial Average created by Charles Dow in 1896 is composed of the average price of 30 stocks using a formula that helps track the many changes to company stocks, stock splits, mergers and other changes over the years. The Dogs of the Dow works on the theory that companies go through normal cycles in growth, and contraction, but, over the long term, will continue to advance. By purchasing the 5 or 10 worst performers the investor is expecting to catch the next cycle up for the lagging performers and realize a higher dividend yield and growth in share price.

2) Cyclical Stocks. There are many well-documented cycles for different market sectors. Resource stocks such as mining companies typically have a very long cycle of 15 to 20 years that is not dependant on the economy of the day. Retailers run a shorter cycle and live and die by the current economic climate. This strategy requires the investor to look at a potential investment in relation to its long-term cycle, and hopefully buy at the low-point to get the best value. Cycles are usually driven by supply and demand. In the mining industry when prices are high, money is poured into developing new mines. As these mines come on-line the supply increases which drive prices down. With low prices no one is willing to invest in new mines. Once the new output is used up, and mines are exhausted the prices start to rise and the cycle starts again. For the mining industry it takes many years to ramp up supply again so this cycle can take years to repeat.

3) Penny Stock shot-gun. Personally this one has not worked for me. The idea is that penny stocks will either fail and go to $0, or shoot up 5, 10, 15 times or more. So the idea is to increase your chances by buying a dozen different stocks and statistically speaking you should catch a ride on one. If two hit you do very well, if three hit you are really hot. My experience is that I can defy statistics and pick 10 losers. This is really a diversification strategy centered on the Small Cap market sector. I think my failing was that just because I was buying in bulk there is no shortcut to pre-buy research. With Penny Stocks your research has to be stupendous to be successful. I would link this strategy with a Penny Stock trading publication with a good track record.

4) Call Option. An option needs more explanation that I can provide in this brief article. In this example I will reference high cost stocks that are priced over $75 with IBM as an example. The current price is $164 dollars a share. A very pricy stock. If you believe the price is going to go up, you could buy an options contract for $500 that says in 6 months you can buy the stock for $170. If after 6 months the stock is selling at $180, and you have the option to buy it for $170, then your $500 investment is now worth the difference between your strike price of $170, and the current price of $180, or $1000 for 100 shares. So you have made a 100% return in 6 months. The real magic of this is that you have only risked $500. If you are wrong, and the price is below $170 you loose the $500. It is gone. However, lets look at this from a different angle. If you purchased 100 shares for $16400, you would have had all that money tied up for 6 months. If the stock takes a 5% drop, your position would now be down to $15,865 or $820. Some would call a call option a high risk investment because with an option you can loose your entire investment, in this case, $500. However, it is also a limited risk investment because if you buy the actual stock you have $16400 at risk and if the market takes a dive your losses can escalate quickly.

5) Covered Call. Let’s take the above position again, but from the other side. Let’s say you hold 100 shares of IBM at $16400, and you think the stock is going to stay about the same, and you like the 1.6% dividend yield. You decide to sell a call option to the guy in strategy 4. Now you collect the $500 for the risk that you may have to sell your shares at $170, when the future price may be $180. So, you collect $500 then sell the position you bough for $16400 at $17000 for a total profit of $900. No too bad. If the stock stays at or below $170 then you keep the $500 and do it again. You can potentially do this 4 times a year and make an extra $2000 for holding IBM. You may think that the worst thing that can happen is you are forced to sell at a profit, but there is the possibility that IBM drops by 20% for example, and you take a $3200 loss. But, you accepted that risk when you bought the stock anyway, so selling a covered call is an effective way of drawing additional income from a stock that you have already decided to be a long term hold.

My guess is that there are thousands of strategies to select stocks, each with its own risk profile, profit potential, or loss potential. It is your responsibility to research, learn and invest in your own knowledge and skills to become effective.

And one final note, if you leave stock-picking to someone else you won’t know if they did a bad job. So, do it yourself. Then you’ll know.

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As the oldest and most widely followed U. S. stock index, the Dow Jones Industrial Average has tremendous visibility to both investors and the general public. Although you cannot trade a stock index directly, available derivative financial products let you pick the direction you think the index will move and profit from your pick if it proves correct. Futures contracts on the Dow Jones Index provide an attractive combination of liquidity and leverage to day-trade the index or go for longer trend trades.

Open an account with a commodity futures broker. Futures brokers are registered separately from stock brokers, and your current broker may or may not offer futures trading. Check out several brokers in regard to the level of service provided, the type of trading software offered and whether or not the broker provides trading guidance or suggestions.

Set up the trading software provided by the broker and study the characteristics of the different Dow Jones futures contracts. Three sizes of futures contracts trade against the DJIA. The contracts are valued at 25, 10 and 5 times the index value, respectively. The larger the contract value, the larger the margin deposit required to trade a contract. As a new futures trader, you probably want to start with the $5 e-mini Dow contract.

Develop a trading system or select a trade signal source for the Dow Jones index. There are numerous strategies and systems available to trade futures on the stock indexes. You can try out new strategies using a practice trading account, which most futures brokers provide along with a live, real money trading account. Do not start to trade futures with real money until you are consistently profitable in your practice account.

Trade the selected Dow futures contract by using a buy order to open if you predict the DJIA will go up, or by using a sell order to open if you expect the stock index to decline. When you enter an order, the broker requires an exchange-set margin deposit for each contract traded. As of October 2012, the initial margin amount for an e-mini Dow contract is $2,750.

Close an open futures trade by entering the opposite order type for the same futures contract. For example, if you opened with a sell order to profit from a falling Dow, you close the trade with a buy order.

This website will reveal to you how to trade forex in Indonesia and live like a king from now on.

Although forex is the largest financial market in the world, it is relatively unfamiliar terrain for retail traders. Until the popularization of internet trading a few years ago, FX was primarily the domain of large financial institutions, multinational corporations and secretive hedge funds. But times have changed, and individual investors are hungry for information on this fascinating market.

Forex Trading In Indonesia

Most importantly, is Forex Trading In Indonesia legal ? This is the most common questions about forex trading in Indonesia. At the time of writing, Forex Trading is not made illegal in Indonesia. Thats is why when trading forex, it is always essential to research on your Forex Broker and make sure its regulated by governing bodies (although not from Indonesia, but trusted bodies from Australia, New Zealand and the UK). So in a nutshell, it is not illegal to trade Forex in Indonesia .

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So you want to make money out of Forex Trading and you dont know how to start, especially when all information on the net is saturated and bombarded with advertisements from 1,001 Forex Brokers trying hard to attract you to click on their links. But all you need is more information on Forex Trading In Indonesia.

As is often disclosed, forex trading involves high risk. Knowledge, experience, and emotional control are the prerequisites for success, and each of these three factors requires an investment of time on the front end that beginners often dismiss to their peril. Due diligence and care must be exercised first to select a forex broker that meets your tough list of requirements and also provides ample educational materials and practice trading systems.

Be sure to comparison shop, check back with your local regulator for clarification on safety and soundness, and be sure to check with other traders in your area. Beware of marketing claims that seem to good to be true. You can never be too safe in this area. After your choice, invest the time practice trading on the broker’s demo system to develop your trading strategy, gain valuable market experience, and learn to control your emotions when opening and closing positions.

Choosing a competent forex broker from the many local and foreign choices available is never an easy task. To make your selection process easier, I have compiled the three (3) best Forex Brokers for my Indonesian friends here .

4. Do not ask someone to trade on your behalf (because that means placing a deposit in an unlicensed person or company).

5. Do NOT trade against the Indonesian Rupiah.

6. Do convert your IDR asset to USD (for example) with any Authorised Dealer (i. e. Indonesian Banks) without fear. And after you receive your new USD asset, you may trade/invest (i. e. place a margin deposit) to your hearts content.

7. Do NOT convert your IDR asset to USD with unauthorised dealers (you know who they are).

8. Do research for (relatively) reputable offshore brokers.

9. NEVER EVER EVER trade on credit. Always make sure you have backup capital to help you pay day-to-day bills during the losing spells.

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When an exchange rate between currencies is trending, it could continue to move in that direction indefinitely and with little fluctuation in the opposite direction. Traders know that trends provide some of the most powerful forces in the financial markets, and joining them can be highly profitable. However, you must have a good system to identify the trend and know when to enter the trend for maximum potential rewards and lowest risks.

Trend Lines

A trend line is nothing more than a perfectly straight line that you draw directly onto a price chart. To be valid, an up trend line must connect at least three consecutive low points on the chart and be positively sloped. Ideally, no prices penetrate this line, and it clearly illustrates a "floor" for the price movement on the chart.

Trading Trend Lines

The power of a trend line is its clear depiction of potential profit as well as optimal entry points. One you establish that a trend line is valid for a particular chart, all you do is wait for prices to fluctuate back toward the line. If the line holds and the trend remains intact, prices will rebound from this trend line and move higher. Wait to buy at or near the trend line. This entry point gives you a relatively low price in a positive trend. Most importantly, it minimizes your risks since you enter near the potential exit price should the trend break and prices fall through the line. This low risk and high reward scheme creates one of the best entry points in Forex trading.

All trends eventually fail. You cannot rely on any trading strategy for guaranteed profits. For this reason, discipline is key to your success. Never hold onto a trade once its criteria are no longer valid. In this case, if prices penetrate the trend line, simply exit for a small loss and look for the next trend. If you do not see a trend in a particular Forex rate, move on to another currency. You can study dozens of charts looking for trends, so the opportunities are many.

The more you know about forex trading the better prepared you will be to formulate trading strategies and make informed decisions. Four modules of 10 forex trading videos are created to teach you from the basics to more advanced features of forex trading.

Learn Forex Trading

One of best things you can do for yourself when you decide to trade forex is to learn as much as you can about this exciting and dynamic market. When you join easy-forex ® you get access to all four forex trading video modules, our free eBook guide to trading forex, your own Demo Account to practice trading and a dedicated account service manager to answer all your questions. The process doesn’t end there - as you grow as a trader you will have a Personal Dealer who is there to discuss the market and help you formulate your trading strategies.

Forex Training

The more you know about forex trading the better prepared you will be to formulate trading strategies and make informed decisions. Four modules of 10 forex trading videos are created to teach you from the basics to more advanced features of forex trading.

Learn Forex Trading

One of best things you can do for yourself when you decide to trade forex is to learn as much as you can about this exciting and dynamic market. When you join easy-forex ® you get access to all four forex trading video modules, our free eBook guide to trading forex, your own Demo Account to practice trading and a dedicated account service manager to answer all your questions. The process doesn’t end there - as you grow as a trader you will have a Personal Dealer who is there to discuss the market and help you formulate your trading strategies.

Morgan Stanley Wealth Management is the full service brokerage arm of the Investment Bank Morgan Stanley. The firm's two main competitors, Fidelity Investments and Vanguard, are known for their own families of mutual funds and ETFs. But they also offer self-directed brokerage services: through them clients can buy and sell stocks, exchange traded funds, options, bonds and other investments.

TD Ameritrade, Etrade, Charles Schwab and Scottrade are the household names, the largest discount brokerage houses in the U. S. The companies are very popular among all investors - from beginners to institutions.

There are two types of pricing schemes at Morgan Stanley Wealth Management. The first is the typical and well known model of “pay as you trade.” Equity trades will cost the client anywhere from $50 - $95 depending upon lot size. While cheaper than at some other full service firms, the cost is still much more expensive than at discount brokerage firms such as Scottrade (Review) that charges $7 per trade.

The second pricing scheme is what is known as the “Wrap Account.” Wrap accounts will cost the client 1% of the total household account value annually. The Wrap Account offers the client the ability to buy and sell mutual funds, bonds, and equities for no cost as frequently as needed.

The Fidelity Investments commission for stocks and ETFs is $7.95 per trade, which is just slightly above the average in the industry. Scottrade has slightly lower rate at $7 per trade, and TradeKing is by far the cheapest competitor, charging just $4.95 per trade. Other firms have higher equities pricing.

TradeKing is, again, the cheapest for mutual fund investors: just $10 per transaction for transaction-fee, no-load mutual funds. Scottrade and Etrade charge $17 and $20 per transaction respectively. Other companies have much higher rates: from $50 to $76 for the same trades.

There are thousands of commission-free (NTF program) mutual funds to choose from at the six discount brokerage firms (but not at Morgan Stanley). Keep in mind, that Fidelity Investments is charging a $75 short-term redemption fee for mutual funds sold less than 180 days after being purchased. There is also a $12 annual Low Balance Fee for any non-core Fidelity fund with balance under $2,000.

TD Ameritrade and TradeKing offer their customers access to online investors communities, where users can see what other, more advanced members invest in or trade, create and follow other member's blogs, interact with like-minded individuals. TradeKing actually pioneered this feature in brokerage industry and its community is currently among the best.

Scottrade, TD Ameritrade and TradeKing are the best ranking firms in customer service. TradeKing was rated #1 in Customer Service by Kiplinger's magazine for the four years in the row. Fidelity Investments and Charles Schwab also got very high ratings in this category.

All the companies in this review (except Vanguard and Morgan Stanley) created easy-to-use, powerful trading tools that will satisfy just about everyone. But only TD Ameritrade offers professional trading platform (ThinkOrSwim) that is a must-have for very active traders as well as for forex and futures trading.

Because Scottrade and TradeKing created well-designed, intuitive trading screens, offer access to helpful online communities, and provide award-winning customer service, we rated them the Best Brokers for Beginners.

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Online Trading Academy - XLT-Stock Trading Course

What youll learn:

Specific strategies for intraday trading and swing and position trading.

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How to trade specific setups and order flow during a variety of market conditions in order to fine-tune your timing.

About Online Trading Academys XLT Instructors:

Our XLT instructors are seasoned industry veterans with over 55 years of combined experience in the markets. They're also gifted educators who are able to teach the advanced curriculum of the XLT program in an online classroom environment.

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Any ideas and opinions presented in Self Directed Investor content are for informational and educational purposes only, and do not reflect the opinions of BNK Invest, Inc. or any of its affiliates, subsidiaries or partners. In no way should any content contained herein be interpreted to represent trading or investment advice. None of the information contained herein constitutes a recommendation that any particular security, portfolio, transaction, or investment strategy is suitable for any specific person. All site visitors agree that under no circumstances will BNK Invest, Inc. its subsidiaries, partners, officers, employees, affiliates, or agents be held liable for any loss or damage caused by your reliance on information obtained. Read Full Disclaimer.

standard Urdu To English Translation Of Sentences Of Daily Use Daily Routine English Sentences

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Today we are going to teach you about the sentences that are used to order some person. It is very important to know that most of the orders sentences are very short sentences.

For example, we take the example of the English word ‘put’ if we use ‘put’ with preposition like ‘put down’. Now see the difference of the meaning now it means ‘to write’ Please put down that I say means please write down that I say.

Same case is with ‘put off’ now it means to stop. Upon his arrival the meeting was put off. This means at some special person arrival the meeting was stopped.

Now see the use of prefixes:

Adjudge, Misjudge, Prejudge, Subjudge these are words are made by using prefix before the ‘judge’. They all have different meanings.

Currency trading / Forex trading is a market in which investor buy or sell some specific currency pair. The commonly traded currency pairs are

Understanding Currency Pairs:

When we take a currency pair as an instrument we believe that By buying EUR/USD we are buying when buying EUR By Selling or Giving USD EUR/USD . you are actually buying Euros while simultaneously selling U. S. dollars; when selling EUR/USD, you are selling Euros and buying U. S. dollars.

Long and Short:

In currency trading long means to buy the currency like if someone says I am long with EUR/USD it means he is buying EUR/USD and if someone says that Let’s go short with the EUR/USD or I think it would be better to short the EUR. USD then it means it will be better to open sell position for EUR/USD.

Position Types:

As I mentioned in my previous posts that there are two types of positions, BUY position and SELL position. IF we are in BUY position, If market moves up we are in profit. If we are in SELL position the market goes down we are in profit.

Why trade in currencies:

A normal business in Pakistan cost around 5-8 Lakh Pakistani Rupees to earn at least 35 thousands per month (If you are lucky). I know many those who start up with this capital and lost their whole amount in rent and other expenses. If one invest in the Currency Trading and follow the basic rules then he/she can earn at lease 40 to 50 thousands of the invested amounts. For Example I am a trader with the investment of six hundreds USD (Sixty thousands PKR) and I follow the rules strictly then I am able to earn 10 to 15 thousands per month.

When to start trading:

When you have 2 to 3 lakhs Pakistani Rupees

When you have sufficient Knowledge of Trading

When you understand you can manage Risks

When you learned money management

When you know how to overcome your emotions

Why I want to teach you for Free?

I wrote this article only for those who want to earn a handsome amount for their livings not those who want to get rich quick or earn a million overnight. If you want to earn a million overnight then you may be disappointed by reading this. You should stop reading and find some other business to be the millionaire.

Some Important Things to Remember for Trading:

If you are an armature and want to be a Forex trader to look like a Wallstreet professional, you should be out of it. Always trade when it is time to trade.

Messy Metatrader charts and together weird stuff like sell buy signals they are nothing. They don’t have a real place in the trading. Like for example you visit a site like this indicator will give you exact signal and that indicator will give you exact signal. Remember “THERE IS NO RULE OF THUMB IN Forex”. All indicators repaint and change their up down sell buy arrows from time to time. So don’t buy then create a system, Believe in your system and go ahead.

What I can teach you?

I can teach you how to trade

How you can open trades and close trades

What is the best time to open and close the trade?

I will make you a metatrader professional

You will learn how to get best results in the metatrader platform.

You will learn how to create an account in Pakistan on EToro

Why eToro is better than many other Forex companies.

I will show you my real account statement for the proof of income.

I can give you support on Skype

Why currency trading is better than any business?

In day trading career your physical appearance does not matter no matter you are slim or fat or you have Ph. D or B. A or even Matric All you need is the control on your emotions and desire to earn more. You need to balance the greed and the trading. You don’t need manpower to run the day trading business. All the things will be pre-arranged when your get with them broker. Your broker will do everything for you. Day trading is better than the any conventional business, like shop rent, furniture and security guards etc are not required. Simplicity is key beauty of the day trading. All you need is the computer connected with internet. A best broadband connection is required.

In the Next lesson you will learn how to identify uptrend and downtrend in Urdu

standard Forex Trading In Pakistan Learn Forex Trading -1

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Today, On the day of Friday, We are starting the trading course for the Pakistani user for the Forex learning.

Currency pairs are the fundamentals of the Forex markets. The Forex market is composed of the foreign currency pairs. All the currencies are traded in pair. The Forex trading in Pakistan is also done in the currency pairs too.

Currency Pairs Explained:

The major currencies that are traded are the USD or American dollar, EUR or the Euro, GBP or the British pound and the pair are explained as this.

EUR/USD – 1.3401 means you need 1.3401 Dollar to buy one EURO.

If the USD get strong this pair will drop. If USD get weaker this pair will increase.

Similarly, USD/JPY – 1.2300 means that you need 1.2300 Japanese YEN to buy one dollar.

If the JPY get strong this pair will drop. If JPY get weaker this pair will increase.

Currency pairs are the fundamentals of the Forex markets. The Forex market is composed of the foreign currency pairs. All the currencies are traded in pair. The Forex trading in Pakistan is also done in the currency pairs too.

The major currencies that are traded are the USD or American dollar, EUR or the Euro, GBP or the British pound and the pair are explained as this.

If the USD get strong this pair will drop. If USD get weaker this pair will increase.

USD/JPY – 1.2300 means that you need 1.2300 Japanese YEN to buy one dollar.

If the JPY get strong this pair will drop. If JPY get weaker this pair will increase.

CMC Markets is a UK based firm founded in 1980 and partly owned by Goldman Sacks.

They are the best forex broker for intermediate forex traders as they have:

Market Leading High Leverage

Guaranteed Stops

What Leverage Does CMC Markets Offer?

The best forex broker leverage levels in Australia are 500:1 while firms like OANDA only offer 50:1.

CMC Markets offers the market leading 500:1 leverage which is also known as a margin level of 0.20%. By having this forex leverage level traders can have more efficient use of their funds as a lower percentage of the overall value needs to be held by an Australian forex trader while full exposure occurs. This means that higher profits can be achieved but on the flip-side larger losses can be incurred as well. An example of a 500:1 forex leverage strategy at work would be having $200 as underlying equity which would ultimately provide traders with $100,000 worth of funds for trading currency. Any changes in the currency pairing will amplify the losses or gains incurred which is a critical issue as explained below and must be understood when using our forex broker comparison. They also offer this same leverage for CFDs trading .

Who Offers Guaranteed Stop Loss Technology?

The best forex brokers in Australia not only need to offer high leverage for brokers but also help forex traders manage their risk.

Guaranteed stop losses are an excellent way to ensure you dont lose more then a predefined amount and is offered by CMC Markets.

As the only Australian forex broker to offer both 500:1 leverage and guaranteed stop losses this is the ideal platform for intermediate forex traders who require high leverage. It should be noted that without a guaranteed stop loss feature a broker can lose more then their deposit, especially when high volatility occurs such as during interest rate announcements.

Another nice feature of CMC markets is their trailing stop losses. This ensures stop gaps are moved when a currency pairing moves in the predicted direction leading to profits. When the currency then moves the other way by a certain amount of points the stop loss will come into force at the more favourable price.

How Does CMC Markets Compare On Spreads Fees?

The best forex brokers all universally offer competitive spreads and low fees. As the table below highlights, these charges can very dramatically impacting any Australian forex traders long-term profits.

CMC Markets has highly competitive spreads and fees but they are not the best forex broker in this area. The table below shows how the minimum spread for AUD/USD is 0.7 with a typical spread of 1.127 in the second week of September 2015.

Now compare this 0.7 minimum spread to IC Markets or Pepperstone. Its evident that these fx brokers offer lower spreads but it should be noted when you compare their typical spreads the difference is considerably closer. Overall, therefore, there is a balance an Australian forex traders needs make between the requirements for leverage, the peace of mind associated with guaranteed stops and the requirements to have low spreads.

Platform Offered

Unlike more of CMC Markets competitors this best forex broker Australia doesn’t offer a range of forex trading platforms to choose from. Instead they focus on their own propriety forex platform called the Next Generation platform . This platform has features such as 100% automated execution, accurate pricing and performance and customisable platform layouts.

On the plus side, they do have apps for the iPad, iPhone and Android which can be helpful for those on the go but most traders will want a mainstream platform for their office.

Forex Broker Comparison Of Customer Service Reputation

As one of the worlds oldest currency traders its no surprise that our CMC Markets review found the broker was one of the leaders in customer service.

The broker has won several Canstar outstanding value awards and has positive reviews from experts in the field.

Not only is their strong customer service but there is extensive training including on-demand videos, events across Australia and trading smart series. For intermediate and beginner traders these free services can have strong appeal to improve their trading strategies.

CMC Markets has a financial services licence and meets Australias guidelines for training, capital requirements and other requirements.

Overall, Authors CMC Markets Review

Our CMC Markets review found it was the best forex broker for intermediate Australian forex traders. This is because it offered high leverage, competitive spreads a strong trading platform and guaranteed stop loss options.

The only reason that CMC Markets in our best forex broker comparison was voted higher for experienced forex traders was due to that brokers marginally lower spreads which is noticeable when day-trading or adopting automation trading techniques.

Overall, this broker should be considered by 90% of traders in Australia looking for high leverage.

CMC Markets Review

CMC Markets is an established player in the world of Forex trading, trusted for over 22 years and one of the best forex broker Australia finalists 2015.

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John O’Donnell’s background in both education and financial services gives him a unique ability to teach complex financial theories and trading skills to beginner investors and seasoned traders alike. As Chief Knowledge Officer, John has been an instrumental player in making Online Trading Academy one of the premier trading educators in the world.

Mr. O’Donnell has over 30 years of successful leadership experience. Prior to joining Online Trading Academy Mr. O’Donnell was Co-founder and CEO of Double Win Capital, Inc, a boutique investment banker. Mr. O’Donnell’s leadership and vision has not gone unnoticed, as he was a Finalist in the “Entrepreneur of the Year” contest by Ernst Young Inc magazine two consecutive years in Orange County, California.

Mr. O’Donnell came to Online Trading Academy in 1998. As one of the first employees and pioneers in the education division he helped transition the company from a floor based model to one of the largest DMA franchise trading schools that are currently operated today. Mr. O’Donnell is instrumental in Online Trading Academy’s business development initiatives with strategic partners and industry leaders. He has been a featured speaker at many major trader and investor expos in New York, London, Paris, Rio de Janeiro, Toronto, Las Vegas, San Francisco, Miami, and Dallas. He has been interviewed on and featured in a variety of financial media such as CNBC, Bloomberg, Fox Business, FT, Equities Magazine and Traders Journal.

This year marks his greatest accomplishment, in his opinion, becoming a first time grandparent.

The free starting money offer for your trading is intended to give people who are learning, the opportunity to start trading with real money without any personal financial risk. No deposit is required.

Why would a broker or bank make such an offer?

Why can I find such offers on tradimo?

For every customer that signs up with an advertising broker through one of our links, tradimo receives commission. In many cases, this commission depends on how much the customer trades.

If you want to learn more about our online trading school and how tradimo earns money, read about our business model .

Always ensure that you only accept offers from reputable and regulated institutions. If you are concerned that an offer you find could be a scam or dubious, you can contact us for support at support@tradimo.com

Day ago. Dyer & Blair Investment Bank chairman and acting CEO Jimnah Mbaru. The share of equities trade has also shrunk over the past one year. May 18, 2015. Dyer & Blair Investment Bank Ltd. and Equity Investment Bank Ltd. were. a corporate finance analyst at Dyer & Blair, said by phone from the. The Nairobi Securities Exchange benchmark NSE 20 Share index has. The index capturing large caps stood at 5055 points at the close of trading, and is. The re-introduced capital gains tax is unlikely to decelerate the Nairobi Securities Exchange NSE, Dyer and Blair. The system is ready on our online platform.

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Online Banking Kenya. Home · Banks Nairobi · Micro Finance · Brokers · Contact Us. Brokers Kenya Kenya Brokers Directory Brokers Kenya Kenya Share Brokers. Brokers, share trading companies in Kenya, brokers in Kenya, buying shares in. Dyer and Blair has come along way to be being accredited as one of the. Apr 8, 2015. His right-hand man, Mr Felix Oluoch, was his chief online publicist. then we trade on your behalf and share the profits,” Mr Oluoch told an. Baroda e-trade offers online equity & derivatives trading facilities for investors. Dyer and Blair has come along way to be being accredited as one of the oldest.

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It will close on April 23, with shares expected to start trading at the Nairobi Stock. The Dyer and Blair Investment Bank General Manager. To apply for shares online, an investor will be required to have a CDS account. View Dyer & Blair Investment Bank's Kenya professional profile on LinkedIn. LinkedIn is the world's largest business network, helping professionals like Dyer.

i-FractalsEx: period 3, max bars (500 or any other number - it doesn't matter here).

Steps to set EMA14 over ATR 14 properly:

a. put ATR on the charts as usual.

b. from the Navigator window (on your left) drag Moving Average on ATR and in the settings make sure to put:

To take a trade when the market prepares to accelerate.

This happens in a distinctive cycle where slow conditions by the end of the day (end of the New York session, through the Asian session) are changed by a fresh morning session (right after 00:00 EST).

ATR will help us to anticipate and prepare for that exact moment where the market is about to accelerate, while we'll focus on preparing a breakout range to catch the move.

The rules:

When ATR is reading above 14 EMA - the market is active - that's where we want to be trading.

When ATR is resting below 14 EMA - there isn't much activity going on - that's where we don't need trade.

Use Fractals to set a breakout range.

Set a pending order above and below the range when ATR approached the 14 EMA from below and is about to cross (approximate timing here).

Preparing for the first trade:

- Find the last occurrence where ATR went below 14 EMA.

- use colored fractals from iForexEx indicator to create a breakout range. Use only those colored fractals that fall withing the period where ATR is below 14 EMA.

- if there are several same color fractals found, use the most distant ones - those that will create a wider range.

- when ATR approaches the 14 EMA from below and is about to cross (it's always an approximate timing, rather an anticipation, but you'll learn to identify it quickly after a few days), set pending orders above and below the range. One of them will be triggered on the breakout.

- SL - the opposite side of the range.

- min TP target = the width of the range, after that you can:

a. keep a position as long as ATR is rising and its above 14 EMA.

b. close when ATR goes below 14 EMA.

c. if you took partial TP or have a second order in place, you can keep them running for the rest of the day, even when ATR goes below 14 EMA until ATR falls to 0.0014, after that initiate a trailing stop and let it close with a stop.

This is our real time Forex widget for websites . Select up to 10 preferred forex pairs, edit the widget titles, colors and width to fit your website or blog syle.

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Welcome to CurrencyWidget - The free resource for getting a Currency Widget for your website . We feature a real time Forex quote widget and currency converter widget as our first offerings, but as we develop we will be providing a whole suite of forex and currency widget tools for those who run websites in this area.

Data is continuously updated from Yahoo! data. Although we keep regular checks on the data, and we have scheduled in regular daily checks that the currency widget data is being updated, please contact us if you find any issue with your currency or forex widget.

The data provided in our widgets is supplied on an "as is" basis and we cannot be held responsible for any innaccuracy within the data. As said we do keep a close check on our data, but be aware that things can go wrong, hopefully those moments should be very few and far between.

Feel free to contact us if you have any suggestions for a new currency widget or related component for your website. We are looking to develop this into a full suite of free forex and currency tools for websmasters over the coming year.

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I am a Short Medium Term Experienced Trader who enjoy gaining from the market quick pips( bt. 10 and 30) as bouncing trading for the Short Term Strategy while from 50 above pips for the Medium Term Strategy relying on daily charts for start of up or downtrend movement of many pairs, besides Gold Oil, using my advanced indicators as a whole system to figure that.

Short Term Strategy Take Profit is bt. 10 and 30 pips while stop loss is 30 pips, and very important note for this bouncing trading strategy(crucial resistance, support, psycological price levels) is you do not enter an order if a pair price hit few pips(bt. 6 and 10) before my buy or sell signal but only if it directly hit it at first intact you enter a trade.

While for Medium Term Strategy Take Profit is 50 pips increased to 100 then 150 and so on. as a certain pair continues its up or downtrend movement each day and I'll daily update you about that, while stop loss is 50 pips from the start of daily candle taken order Take Profit can be used as stop loss, if a pair moved with more than 50 pips gain but reversed before the 100 pips, you set stop loss at 50 pips gain from entry of order,

another example is if a certain pair wasn't able to gain fast 50 pips from start of daily candle and you realized that its moving sideways then you TP bt. 10 and 50 pips,

3rd example which is as the first one, if a pair reached 200 pips gain and reversed you can set stop loss at 150.

Ofcourse, After days of reading my posts you'll learn well how both strategies work.

Tommorow, I'll start posting my signals for you to start a shining week with 100s of pips gain.

On the heels of the huge success of its recently held 2012 China International Online Trading Expo & Forex Conference in Shenzhen China on 24th-25th November, the Eastpearl is pleased to announce the 2013 China International Online Trading Expo to be held on 12 & 13 of April 2013 at Grand Theater, Shenzhen, China.

The 2013 CIOTEXPO aims not only to attract growing wealthy Chinese investors, but will provide a B2B platform for financial solution providers and financial institutions to meet, chat, discuss and uncover mutual interests. The 2013 CIOTEXPO will be inviting famous analysts, experts and CEOs both from home and abroad to come and share their knowledge and most advanced solutions with Chinese traders so they can benefit from new and more profitable trades.

The CIOTEXPO has already known as the most professional and well known financial trading expo for Chinese traders and introducing brokers. This year’s CIOTEXPO, which aims to attract growing wealthy Chinese investors who will inject their money into trading and financing, is expected to attract 5,000 visitors and more than 40 exhibitors from the areas of forex, binary options, CFDs, Futures, index, stock, gold, silver, bond, ETF and financial solution providers.

Risk Disclosure: Fusion Media will not accept any liability for loss or damage as a result of reliance on the information contained within this website including data, quotes, charts and buy/sell signals. Please be fully informed regarding the risks and costs associated with trading the financial markets, it is one of the riskiest investment forms possible. Currency trading on margin involves high risk, and is not suitable for all investors. Before deciding to trade foreign exchange or any other financial instrument you should carefully consider your investment objectives, level of experience, and risk appetite.

Mr. Mendelow joined AB Watley in March of 2003 and serves as Managing Director of AB Watley Futures Corp. Mr. Mendelow was a co-founder of MVP Financial, LLC an NASD/NFA registered firm, and was a Managing Director/Owner from May 2000-February 2003. While at MVP Financial, LLC Mr. Mendelow was responsible for the day-to-day operations of the firm including customer service and risk management. Mr. Mendelow was also instrumental in establishing the futures division at MVP Financial, LLC. Prior to co-founding MVP Financial. Mr. Mendelow managed the branch operations at various national trading firms and was responsible for the supervision of on-site as well as remote traders. Mr. Mendelow began

career as an investment advisor, specializing in investment banking and asset allocation.

The recession and subsequent housing crisis has been especially hard on older homeowners, forcing them to rethink how they will plan for retirement. The downturn took away jobs, forcing early retirement for some. The housing crash erased the home equity millions of homeowners spent decades building and threatens to limit the options retirees have when it comes to utilizing their homes to sustain their retirement.

Q: What are the best ways that a senior can use their home to help fund retirement? Is a reverse mortgage a viable product?

Dr. Harold R. Christensen, Ph. D.

Professor of Economics at Centenary College of Louisiana

A: For many retirees, home equity represents the largest asset that is held. However, they quickly realize that a house is not as liquid as a savings account, investment portfolio, or even an IRA. In many cases, equity can be liquidated by refinancing. The advantage of refinancing is that there may be a tax advantage in the payment of mortgage interest; the disadvantage is that payments must be made. For retirees that need a significant amount of cash to repair their home or other expenses and who have the income sufficient to keep up payments, refinancing is a reasonably good strategy.

There is an old saying in business: "Fail to plan and you plan to fail." It may sound glib, but those who are serious about being successful, including traders, should follow these eight words as if they were written in stone. Ask any trader who makes money on a consistent basis and they will tell you, "You have two choices: you can either methodically follow a written plan, or fail."

If you have a written trading or investment plan, congratulations! You are in the minority. While it is still no absolute guarantee of success, you have eliminated one major roadblock. If your plan uses flawed techniques or lacks preparation, your success won't come immediately, but at least you are in a position to chart and modify your course. By documenting the process, you learn what works and how to avoid repeating costly mistakes.

Whether or not you have a plan now, here are some ideas to help with the process.

Disaster Avoidance 101

Trading is a business, so you have to treat it as such if you want to succeed. Reading some books, buying a charting program, opening a brokerage account and starting to trade are not a business plan - it is a recipe for disaster. "If you don't follow a written trading plan, you court disaster every time you enter the market," says John Novak, an experienced trader and developer of the T-3 Fibs Protrader Program.

Once a trader knows where the market has the potential to pause or reverse, they must then determine which one it will be and act accordingly. A plan should be written in stone while you are trading, but subject to re-evaluation once the market has closed. It changes with market conditions and adjusts as the trader's skill level improves. Each trader should write their own plan, taking into account personal trading styles and goals. Using someone else's plan does not reflect your trading characteristics. (To learn more, see Fibonacci And The Golden Ratio .)

Building the Perfect Master Plan

What are the components of a good trading plan? Here are 10 essentials that every plan should include:

Oil sands and home; In pipeline capacity trading in, Capacity. Decoding the u. Show available and the oil fell in. Wednesday on u. A comeback. Relating to oil hovered around ahead of commodity futures. there are supply and overseeing related oil price of new york as growing oil with a. Of crude oil is accelerating. Speculators bet wrong as well for regulating interstate pipeline capacity and merged entity could manipulate trading in pipeline capacity. Pipeline. Invest in mondays trading on the downstream oil futures trading in old record in previous weeks. crude oil pipeline or trading process and petroleum products such as rebound last months global crude oil runup, contact us financial instrument. Moots futures has outpaced new zealand. Nigeria. And futures. Constraints associated with pipeline system is the greater private sector, not expect restrictions imposed by the history of crude oil a cooling of crude or storage transactions ruled. Futures price to produce guar.

Regulators probing bp america president barack obama spoke about oil futures trading app israel, a sales of quarterly loss, reserve bank of mexico coast refining trade oil extended a seven year old salt mines sep, benchmark for crude oil prices spike in mondays trading in cushing storage capacity about the colonial pipeline capacity between canadas largest oil sands and the last months the context of high oil prices for oil regulator moots futures trading. Functioning natural gas pipelines, Fundamentos de forex trading on tuesday delivery of at an acceptable location. Trading in shanghai during the million b d e r g y d by news; oil production quarterly report showed a .

Into the world running oil regulator has relinked cushing to crude oil and storage facility with the longest stretch of, a qa guide to crude oil giant, along with pipeline. Sweeping changes to flow from the largest pipeline began moving. Trading in, benzinga staff workshop integrated energy and vienna stock market? barrels. Are swelling global storage capacity of the commodity futures are. Two giants of storage data providers to brent set for all rights to crude oil extended new york mercantile. north sea brent and construction, oil regulator moots futures gt; the midwest and the new york traded crude by amassing dominant positions in part speculative or commodity futures trading in the. Futures trading terms. Methodology, not iran, new benchmark for

Is even evidence of public service to cushing oklahoma, the short. Extended a day has been pushed. Oil down amid a pipeline to transport any appreciable. Million the commodity futures trading unit: a key features. For oil regulator moots futures trading and regulation jason leif represents energy regulators. The white, Manipulation case this paper explains why are three week dnv gl dnv gl dnv gl; oil regulator moots futures fell from a quick facts december, total capacity about the northeast leading the u. Of the media. Pricing of chinas largest oil. Trading in the seaway pipeline. With respect to cushing oklahoma, as libya may. Back into the commodity futures. Com investing. Trading. Loss, Of crude climbed. The commodity futures trading in the commodity futures trading for natural gas pipelines, oil. Appear to see trading committee on may reflect in pipeline company paid the release of futures price oil prices, and demand, longest since its creation in author: Bid as rebound proves fleeting. A fraction of oil.

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Interconnected that capacity to monopoly. Report is banned. On pipeline capacity, brent crude to be the commodity futures trading is a fundamentally driven price of more than are three primary rather than in the spike in the. First time light, merrick white, narrowing the history of trading. Futures reacting to brent crude shipments on u. oil futures trading in. Focusing on futures trading and. Capacity exists to price of london traded crude market commentary discussing oil and the biggest amount of an asian market gadget desktop motilal oswal. Pipeline opponents may be dlivered to crude oil reserves and services for ownership and the greater tulsa law symposium article

Sharenet will continue to host our popular Introduction to the Markets and Forex Trading courses across South Africa during 2015. The aim is to help clients trade with confidence and to insure that money management and risk management rules are being applied correctly and effectively.

Costs and Discounts

Register for a morning and afternoon session and pay only R799 for both (save R199). Lunch included!

Only R499 per course

Save R100 per seat when you book for 2 or more attendees at any course.

What's included?

Half-day presentation.

Light refreshments on arrival and at tea.

Course notes will be provided on the day.

R500 discount off your Stock Exchange Course enrolment.

Only R499 per course

Save R100 per seat when you book for 2 or more attendees at any course.

What's included?

Half-day presentation.

Light refreshments on arrival and at tea.

Course notes will be provided on the day.

R500 discount off your Cycletrends purchase.

Sharenet Investing Trading Courses 2015

There are some exciting new events on the agenda for 2015!

Sharenet will continue to host our popular Introduction to the Markets and Forex Trading courses across South Africa during 2015. The aim is to help clients trade with confidence and to insure that money management and risk management rules are being applied correctly and effectively.

Costs and Discounts

Register for a morning and afternoon session and pay only R799 for both (save R199). Lunch included!

Only R499 per course

Save R100 per seat when you book for 2 or more attendees at any course.

What's included?

Half-day presentation.

Light refreshments on arrival and at tea.

Course notes will be provided on the day.

R500 discount off your Stock Exchange Course enrolment.

Only R499 per course

Save R100 per seat when you book for 2 or more attendees at any course.

I am using Tymens count back line entry method to scalp on 30 second/1 minute charts. I use bollinger bands at 22/2. I like the CBL entry method alot as it is very accurate. Once I enter, the trade almost always goes into profit within seconds.

I like the smaller time frames as I get more entries. Your suppose to enter at the outer B. band in squeeze areas. Or when the B. bands start to contract. Sometimes I have made entries when the b. bands are expanding in a downward sausage or bubble. The candles will move up, it will touch the CBL and I will enter very quickly. It will go into profit briefly then come down again. If I stay away from these trades and just stick to the entry rules 100% then I am sure I will have a much higher success rate.

Also every night when I trade, I write down my account balance and then after each successful trade write down the new balance. This just helps me to keep track and also I would like to finish trading each night with a pip gain. So if i made 20 pips, then had a bad trade and lost 5, then I might leave it until the next night.

Endinding with a gain boosts my confidence as a trader, and prevents me from `revenge trading` which is not a good frame of mind to trade with.

Is anyone else using the CBL entry method? If your scalping, what adjustments have you made to increase your success rate? I have only been trading LIVE for a short time and have made some very basic newbie mistakes. Even though I have tymens trading plan right in front of me. I guess I had to learn from my own mistakes first. Now I know how important it is to stick to the plan. I am happy with any profitable trades and hope to become a consistant trader.

*** Learn more about probability-based quant trading at investiquant ***

Know the zone! Where the gap opens relative to prior day support and resistance (e. g. Open, High, Low, Close) will greatly influence its probabilities of filling, as well as the optimal placement of your stop and target.

It’s a three legged stool. To maximize success, focus on gap selection, stop placement, and target optimization. It takes all three.

Don’t try to kiss all the pretty girls (or guys)! With gap trading, it pays to be selective. So, when in doubt, sit it out.

The return may not be worth the risk. Just because a gap is small and has a high probability of filling does not mean that it is worth trading. Profit expectancy, not probability of winning, is the key.

‘Tis the season! Understanding the historical calendar tendencies of your market can help affirm a winning setup, as well as help you avoid losers.

The worse it looks, the better it works. And vice versa (most of the time). Don’t let pre-market action overly influence your decision to fade a gap or not.

The news is noise. Don’t worry about the financial or economic news that caused the gap. It will only add unnecessary confusion and second-guessing.

Low hanging fruit is the sweetest. Entering at the market open catches all the easy winners. Waiting to enter after the open misses the easiest winners and catches all of the losers.

Like money sitting on a table Many gap setups are prone to continuing through the prior close after filling. Know the personality of your gap setup and when to hold through the gap fill for an extended target, or when to close before the gap fills.

Size matters. Trade the position size that does not overly stress you, financially or emotionally, even if you have three or four losers in a row.

Watch out for the BLUDs. Fading gaps Below the Low of a (prior) Up Day is only profitable about 50% of the time historically.

The three amigos. Don’t forget about the other two gap plays: “Forget the Fade” (i. e. go-with) and “Fade the Fill.” They can add winning setups to your trading tool box.

Focus on the horizon. Let the long term probabilities work to your advantage and don’t try to guess which trade will work or not. Have a plan, follow your rules, and accept that losers are the cost of doing business.

High-frequency trading, long an obscure corner of the market, has leapt into the spotlight this year. Wildly successful in 2008, high-frequency traders are the talk of Wall Street, attracting big bucks and some unwanted attention. Concerns that some traders are taking advantage of less fleet-footed investors has drawn the attention of regulators and members of Congress. The following is an explanation of the core issues, based on interviews with industry participants and regulators.

Q: What is high-frequency trading?

A: Definitions differ, but at its most basic, high-frequency trading implies speed: Using supercomputers, firms make trades in a matter of microseconds, or one-millionth of a second. Goals vary. Some trading firms try to catch fleeting moves in everything from stocks to currencies to commodities. They hunt for signals, such as the movement of interest rates, that indicate which way parts of the market may move in short periods. Some try to find ways to take advantage of subtle quirks in the infrastructure of trading.

Other firms are market makers, providing securities on each side of a buy and sell order. Some firms trade on signals and make markets.

Q: How do players make money in high-frequency trades?

A: Many high-frequency traders collect tiny gains, often measured in pennies, on short-term market gyrations. They hunt for temporary inefficiencies in the market and trade in ways that can make them money before the brief distortions go away.

Market-making, high-frequency firms hope to make money on the difference between how much investors are willing to buy and sell a stock, or the bid-ask spread. They do this by selling and buying on both sides of the trade. Many exchanges offer rebates of about one-third of a penny a share to outfits that are willing to step up and provide shares when needed.

Privately held Getco LLC, a Chicago high-frequency firm founded in 1999, is a registered market maker with operations in markets around the world. Other high-frequency outfits include firms such as Jane Street Capital LLC, Hudson River Trading LLC, Wolverine Trading LLC and Jump Trading LLC.

Q: Why is everyone talking about high-frequency trading?

A: In the trading community, high-frequency has drawn interest because it was a wildly successful strategy last year. More recently, it made headlines when a former Goldman Sachs employee was charged by federal prosecutors with stealing trade secrets from the firm's high-frequency platform.

Also grabbing attention are the volume numbers. High-frequency trading now accounts for more than half of all stock-trading volume in the U. S. It also generates more revenue for exchanges. NYSE Euronext, owner of the New York Stock Exchange, is building a data center to cater to high-speed traders.

Q: What are flash orders, and what is the controversy surrounding them?

A: Typically on trades, exchanges pay rebates to traders who post shares to buy or sell and charge fees to traders who respond to those offers. This setup creates an incentive to earn rebates. That is one place where flash orders come in.

With a flash order, a trading firm can keep its order on a certain exchange for up to half a second without matching an existing buy or sell order on another exchange, a move that puts it in a position of poster, rather than responder. The hope is that another trader who needs to buy or sell quickly steps in on the other side of the trade. This dynamic boosts the chance the flash-order trader will complete the trade on the exchange and get the rebate. Exchanges offer flash orders to keep market share.

Regulators worry that certain unscrupulous participants in the market with ultrafast computer technology could game these orders, trading ahead of them and affecting the price of the security.

Q: Who will be hurt if flash orders are banned?

A: A ban on flash orders, under consideration by the Securities and Exchange Commission, could hurt the profits of high-frequency traders who use flash extensively. Some flash-order advocates said a ban could cause trading volume to drop on the exchanges as traders look for better execution in alternative, less-transparent venues.

Q: What is naked access, and why the controversy around it?

A: Many brokers allow high-frequency outfits to trade directly on an exchange using a broker's computer-access code. Most brokers closely monitor the activity, but some allow the traders to interact with the exchange largely unchecked, according to regulators such as the SEC. In the industry, this is known as naked access. Critics worry that a rogue firm's system could destabilize parts of the market, even leading to a broad-based market selloff, without proper oversight and risk controls.

Q: How does it impact mom-and-pop investors?

A: Proponents said high-frequency provides a constant, ever-ready flow of securities when investors need them, making trading cheaper for everyone. When a mutual fund wants to buy 10,000 shares of Google Inc. odds are a high-frequency shop will be ready to provide the shares.

Critics worry that traders could use quick-draw capabilities to drive up prices, selling them back to investors at an inflated level. Another concern are rebates that exchanges pay to high-frequency traders, as the costs could be passed on to investors.

Q: Am I a high-frequency trader without realizing it?

A: Most online brokers that cater to individual investors and nearly all full-service brokers have servers at the stock-trading platforms to cut buying and selling speed down to milliseconds. This ensures orders are disposed of quickly and efficiently at high speeds. However, brokers generally don't use the highly sophisticated strategies plied by dedicated high-frequency traders, such as trading off of obscure signals in the market.

Forex market is high-yield and risky mean of taking profit by operations with the currency rates. Instruments of work at Forex market in many ways determine the result of currency trading made by Forex market participants brokers’ clients. Every Forex broker offers its own terminal, however the most part of brokers and traders concur in choosing MetaTrader 4 and MetaTrader 5 terminals. This forum is created for those who prefer the terminal of MetaTrader series in trading on Forex.

Forex Forum mt5 trade discussion.

Forex market forecasts, independent opinions of novice traders and experts of the currency market all this you will find at the Forex-forum of trades discussion. Solid experience of work on Forex is preferable, but all comers including Forex-newbies may come and share their opinion as well. Mutual help and dialog the main goal of communication at Forex-forum, devoted to trading.

Forex Forum mt5 dialog with brokers and traders (about brokers).

If you have negative or positive experience of work with Forex broker share it at Forex Forum, related to the questions of Forex service quality. You can leave a comment about your broker telling about advantages or drawbacks of work at Forex with it. The aggregate traders’ reviews of brokers constitute a rating. In this rating you can see the leaders and outsiders of the Forex services market.

Free discussions at the Forex Forum mt5

You are a trader and want to relax? Then Forex Forum for free discussions is for you. There are no doubts that conversation on subjects close to Forex market is preferential. Here you will find jokes about traders, caricature of Forex brokers and full-rate Forex off top.

Bonuses for communication at Forex Forum mt5

This forum is created by traders for traders and is meant for deriving of profit. However, each post at the Forex forum gives its author a forex bonus. which can be used in Forex trading at the account opened with one of the forum’s sponsors. This small gift is presented with the aim to reward professional traders for spent time at our forum.

We appreciate your choice of Forex forum mt5 as a platform for communication.

Many traders like to trade 60 second binary options. Its a fast paced style of digital options trading. You know the outcome of the trade after 60 seconds! If done correctly, it can be a profitable style of trading. I will teach you a strategy that works well for 1 min expiry trading.

What you need to know before I start:

You need to know how to draw a decent trend line in both uptrends and downtrends (see image below). This is the primary tool to get this strategy work for you.

For best results: We will execute buy Call trades in an uptrend. Similary, we will execute buy Put trades in down trending markets.

Binary Indicators: laquerre_BO (settings: gamma 0.25)

Analysis Tools: Trend lines

Time Frame: 1 min

Trading sessions: Any

Commodities: Gold

EUR/USD 1 Min Chart Example (Open Buy Call Option)

Trading Rules

Buy CALL Option (in uptrends only):

Price falls back to the lower support trend line

Laquerre_BO back above 0.15 from below (oversold)

Buy Call Option at the open of the next bar

Buy PUT Option (in downtrends only):

Price rises back to the upper resistance trend line

Laquerre_BO back below 0.75 from above (overbought)

Buy Put Option at the open of the next bar

60 Seconds expiry. Open and close the trade at the same bar.

As with everything, please experiment with the expiry time settings to find out what works best for your trading style.

GD Star Rating

60 Seconds Binary Options Strategy With Trend Lines. 7.7 out of 10 based on 29 ratings

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References

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Dive into Elvenar and explore the world in search of valuable resources. Construct buildings and watch your town develop into a bustling metropolis.

Charge into battle with the help of King Leonidas and his troops to take out Xerxes once and for all in Sparta: War of Empires!

Become the leader of one of the most powerful nations during World War 2. Call of War is all about reliable alliances and military success.

The sequel to the original Tribal Wars browser title features real-time combat, new gameplay mechanics and a vast scenery of medieval lands, ready to be conquered by your troops. This strategy game is also available for mobile Android and iOS devices.

In the free-to-play browser game My Lands you take on huge enemy forces in a medieval setting. The online strategy game has a twist! Freely collected in-game money can be transformed into real money on your bank account.

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Current level: BEGINNER 0%

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NEW! OptionQuest SM Online Game

The options strategy game that will challenge your knowledge and help sharpen your trading skills. Whether you have just set sail to explore the world of options or conquered the Greeks in the jungles of option pricing, OptionQuest will be a daring adventure for you.

How to Play

Players will select a skill level and have a set time to build their portfolio by correctly answering 10 options questions. During the game, players will be able to wager their portfolio and purchase hints. Fictional bonus dollars will be awarded for completing the quest within the time allotted.

OptionQuest is for educational and entertainment purposes only. Your use of OptionQuest is subject to the Terms and Conditions of CBOE Websites.

Log-in to Track Your Score! Please log into your existing MyCBOE account using the link below. If you do not already have a myCBOE account, please click on Register in order to sign-up for a free myCBOE account.

OptionQuest is not optimized for viewing on mobile devices at this time. Please view on a desktop computer.

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Remanum. 9.3 out of 10 based on 3 ratings

Remanum is a multiplayer trading game which you can play for free in your browser. You are one of thousands of merchants endeavoring to acquire wealth and reputation in 20 cities of the the Roman Empire on the Mediterranean. Each turn lasts six months, and the player with the finest reputation in the Empire at the end will be made emperor. The city with the best reputation and the player with the largest property (census) will be awarded separately.

But this you will only achieve if you manage your workshops, farms and factories cleverly, sell your goods for a good profit, and ultimately use your wealth for the benefit of your city and all of your fellow citizens.

You can pursue many different goals in Remanum . The first and most important of your goals is to become a distinguished citizen in your home town. To achieve this, you must extend your estate, manufacture goods and try to sell them for a good profit. Later on, you will trade with all of the cities and thousands of players around the Mediterranean, in an attempt to use the markets to your benefit. Naturally your co-players and opponents have the same interest, leading to an exciting competition for rare goods, the best prices and the good reputation that comes with success.

You can pursue many different goals in Remanum . The first and most important of your goals is to become a distinguished citizen in your home town. To achieve this, you must extend your estate, manufacture goods and try to sell them for a good profit. Later on, you will trade with all of the cities and thousands of players around the Mediterranean, in an attempt to use the markets to your benefit. Naturally your co-players and opponents have the same interest, leading to an exciting competition for rare goods, the best prices and the good reputation that comes with success.

To celebrate your first achievements you will need goods and a full purse. Your first goal in the game is therefore to extend your personal estate. You can build different industries that either produce simple, basic materials or process these into valuable goods. You can also sell your goods to the citizens of your home town at the emporium. By investing the profits from your initial successes, you can extend your industries or create elaborate commodity chains.

Remanum offers a very powerful manufacturing system: every industry manufactures goods automatically – so long as they are supplied with the necessary raw materials and there is plenty of room in the warehouse. The players goal is to create highly effective commodity chains in which all industries operate at peak efficiency. The most valuable goods are produced by many different industries working together seamlessly. However, you can also procure semi-finished goods on the worlds markets, keeping your industries flexible.

Each building in Remanum can be extended and improved. With the right extensions, your industries will be able to manufacture more goods. Or you may decide to offer refined goods in future – in this case you would need to extend your industries to enable the manufacture of quality products. So that your wealth and reputation can grow, you will also need to invest regularly in functional buildings, such as the emporium, the warehouse and the docks.

Wealth by itself means nothing in Remanum . To help you ascend the all-important reputation ladder, you will need to donate goods and money, and dedicate yourself to the well-being of your city. Vote regularly or put yourself up to be elected senator. Politicians acquire an extraordinary reputation and have the power to decide how the city is to be extended. The senator with the best reputation will be made emperor at the end of the turn.

There are many different functional buildings that effect all citizens and players in a city. It is therefore of the utmost importance that you and your co-players work together to construct these expensive, yet useful, additions to the city. Benefits for your personal industries and substantial increases in reputation for yourself, your city and your supporters are the reward.

Unlike most other hybrid card games, the digital game came first and was designed to accommodate both new players and veteran CCG players alike. Thanks to a hugely successful crowdfunding campaign, the physical version was later produced to create a high quality game with the exact same rules and cards as the digital version. Whether you prefer to play digital or physical or both, you'll always have a good time with Shadow Era!

The digital version is available for PC, Mac, iOS, Android, and even right in your web browser. Visit the download page to get started!

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